We are currently recruiting for a 12-month Learnership Program. Field Sales Representatives must be competitive meetings and presentations Maintaining customer accounts and records of sales Reporting and providing feedback
We are currently recruiting for a 12-month Learnership Program. Field Sales Representatives must be competitive meetings and presentations Maintaining customer accounts and records of sales Reporting and providing feedback
for assisting with financial tasks within the accounting department. Involves handling financial records and providing support to other members of the accounting team Record Keeping: Maintain accurate and up-to-date up-to-date financial records, including accounts payable, accounts receivable and general ledger entries by management Support: Provide support to the accounting ream by performing adminstrative tasks Communication: qualification compulsory. Additional education in accounting or finance is preferred. Experience : Previous
statements, performing bookkeeping duties, managing accounting software, making journal entries, and assisting assisting with finance-related activities.
infrastructure from a set of source AWS accounts to a new set of target accounts for my client's next project. Terraform for infrastructure management in the target accounts. Key Responsibilities: Migrate data infrastructure infrastructure components from source to target AWS accounts Enhance and optimize data pipelines, ETL processes for infrastructure as code (IaC) in the target accounts Set up CI/CD pipelines using Azure DevOps for
all manual invoicing done and ensuring proper accounting thereof Perform monthly debit orders for- Management financial reviews with franchise partners and accountants and one on one ad-hoc meetings with franchise payroll journal and reconciling of all control accounts. Monthly pension fund calculations and submissions Loading of debit orders and refunds monthly. Accounts payable reconciliation review for all companies Daily ad-hoc operation related tasks Close of accounting periods Reviewing and releasing of payments Cash
Facebook , LinkedIn and Instagram . Taking accountability for 24/7 monitoring of the network infrastructure effectively to ensure continuous coverage Taking accountability for scheduling and optimising resources during during various shifts Taking accountability for handling corrective intervention tickets, diagnosing network implementing solutions to minimise downtime Taking accountability for providing Tier 2 network operations support communication with relevant stakeholders Taking accountability for co-ordinating with higher-tier support
Our client, a prestigious Top 50 Accounting firm in the UK, is expanding its team in South health by overseeing regular bookkeeping and accounting processes. From bank reconciliations to purchase ong>
Regular Bookkeeping & Accounting Processes:
management for approval Ongoing monitoring of accounts related to true matches Assist with screening efficient identification, monitoring and reporting of accounts considered high risk Daily assessment AML reports reports relating to ongoing monitoring of high risk accounts Stay current with money laundering and terrorist what actions to take in dealing with high risk accounts related to PEPs, Sanctions and Adverse media customers
management for approval Ongoing monitoring of accounts related to true matches Assist with screening efficient identification, monitoring and reporting of accounts considered high risk Daily assessment AML reports reports relating to ongoing monitoring of high risk accounts Stay current with money laundering and terrorist what actions to take in dealing with high risk accounts related to PEPs, Sanctions and Adverse media customers